The Canadian Derivatives Institute, in collaboration with the Finance et Investissement magazine, recently published a series of quite interesting articles on major current topics in the field of risk management and derivatives. The articles are in French, but stay tuned as the CDI is planning a similar series in the Investment Executive magazine.
To better understand the ups and downs of the London Interbank Offered Rate (LIBOR) and the reasons for its imminent discontinuation:
https://www.finance-investment.com/zone-experts_/linstitut-canadien-des-derives-icd/la-fin-du-libor/
For an in-depth analysis of the explosive growth of exchange-traded funds, and the number of firms offering these products:
https://www.finance-investment.com/zone-experts_/linstitut-canadien-des-derives-icd/lavenir-des-fnb/
For a short but effective introduction to meteorological derivatives, these tools aimed at protecting against climate risks:
https://www.finance-investment.com/zone-experts_/linstitut-canadien-des-derives-icd/les-derives-meteorologiques-un-produit-controverse/
To learn more about the integration of environmental, social and governance (ESG) factors into portfolio management:
https://www.finance-investment.com/zone-experts_/linstitut-canadien-des-derives-icd/integration-des-facteurs-esg-en-gestion-de-portefeuille-une-approche-perfectible/
Don't hesitate to visit cdi-icd.uxpertise.ca to discover the Canadian Derivatives Institute's training offer.